Securities claims—protecting your rights
The Wolford Law Firm LLP of Rochester, New York represents investors, brokers, and other investment professionals in a broad range of securities-related criminal, civil, and administrative disputes. We also represent investors claiming losses caused by securities fraud or other failures to comply with securities laws. Our size makes us efficient and flexible; our experience allows us to capably handle all types of complex litigation.
Using our knowledge of federal and state securities law and regulations, our experienced trial attorneys work with our clients to formulate legal strategies geared toward producing the best possible outcomes.
A high-caliber legal team with extensive securities litigation experience
The Wolford Law Firm LLP defends corporations and corporate officers against allegations of wrongdoing in connection with the sale or purchase of a security, and we have extensive experience with government investigations.
Our experienced trial attorneys have more than 75 years of combined litigation experience in state and federal courts, and we have litigated before the full panel of the Securities and Exchange Commission (SEC).
Early involvement of trial attorneys is essential to properly investigate and prepare a securities fraud case. Whether you are the victim of securities fraud, or you are a professional or corporate officer defending against such charges, speak with The Wolford Law Firm LLP about our diligent and professional representation.
If you have a legal problem that can benefit from experienced trial attorneys, call The Wolford Law Firm LLP at (585) 325-8000 or (877) 394-8497 or use our online contact form. We look forward to talking with you.